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迅捷兴

(688655)

  

流通市值:29.08亿  总市值:29.08亿
流通股本:1.33亿   总股本:1.33亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金125,008,428.52139,179,005.66119,185,299.52133,753,360.89
  应收票据及应收账款210,441,329.95173,187,838.5169,151,647.61161,442,404.92
  其中:应收票据32,649,505.4826,500,519.3330,776,743.9733,011,396.16
        应收账款177,791,824.47146,687,319.17138,374,903.64128,431,008.76
  应收款项融资28,461,735.4422,644,755.9933,111,907.6525,039,137.64
  预付款项504,942.66462,966.27430,046.66599,110.16
  其他应收款合计3,306,808.652,714,320.522,998,330.62,725,497.73
  存货77,688,570.157,730,036.3948,265,574.1547,118,624.84
  其他流动资产26,061,842.2824,531,426.3823,320,678.0120,741,251.4
  流动资产合计471,473,657.6420,450,349.71396,463,484.2391,419,387.58
非流动资产:
  长期股权投资6,634,009.826,557,916.33,138,865.291,280,000
  其他权益工具投资24,660,00024,660,00024,660,00024,660,000
  固定资产717,982,654.85312,255,639.68321,086,074.11315,913,887.41
  在建工程50,169,915.02297,815,397.09283,013,804.89249,748,415.86
  使用权资产47,900,728.2849,356,369.250,113,004.3650,220,551.81
  无形资产22,466,898.9322,184,412.4722,314,256.422,444,100.33
  商誉1,878,964.771,878,964.771,878,964.771,878,964.77
  长期待摊费用7,167,421.126,223,701.056,543,269.66,601,945.41
  递延所得税资产14,691,481.9213,844,970.1113,724,065.1818,244,863.06
  其他非流动资产9,977,123.659,849,741.3318,768,826.1317,721,221.24
  非流动资产合计903,529,198.36744,627,112745,241,130.73708,713,949.89
  资产总计1,375,002,855.961,165,077,461.711,141,704,614.931,100,133,337.47
流动负债:
  短期借款88,541,833.3388,535,391.6758,522,641.6728,520,583.33
  应付票据及应付账款379,180,631.37189,973,607.32205,907,389.86173,309,430.22
  其中:应付票据36,982,377.5244,740,405.4448,912,956.3634,891,515.22
        应付账款342,198,253.85145,233,201.88156,994,433.5138,417,915
  合同负债3,592,739.733,379,596.231,875,603.641,804,420.01
  应付职工薪酬13,920,323.2512,585,115.0610,704,867.759,294,774.12
  应交税费2,380,816.383,252,006.556,739,207.654,906,091.53
  其他应付款合计3,958,895.472,733,115.376,039,153.215,196,559.4
  一年内到期的非流动负债30,702,888.6930,408,514.0717,713,944.2743,428,699.77
  其他流动负债17,526,683.0512,524,028.1612,146,784.937,271,237.93
  流动负债合计539,804,811.27343,391,374.43319,649,592.98273,731,796.31
非流动负债:
  长期借款86,970,00076,970,00071,515,00071,515,000
  租赁负债44,292,673.3445,484,327.7447,637,957.7447,662,820.72
  预计负债1,346,062.191,008,456.781,016,144.85-
  递延收益13,125,779.8313,532,724.8413,969,646.5412,532,424.03
  递延所得税负债7,306,860.337,516,773.797,609,563.137,628,676.61
  非流动负债合计153,041,375.69144,512,283.15141,748,312.26139,338,921.36
  负债合计692,846,186.96487,903,657.58461,397,905.24413,070,717.67
所有者权益(或股东权益):
  实收资本(或股本)133,390,000133,390,000133,390,000133,390,000
  资本公积305,506,254.02302,604,893.24300,890,175.58304,242,470.09
  其他综合收益-1,446.31-1,465.55-1,465.55-850.85
  盈余公积19,783,969.3219,783,969.3219,783,969.3218,444,451.84
  未分配利润223,477,891.97221,396,407.12226,244,030.34230,986,548.72
  归属于母公司股东权益合计682,156,669677,173,804.13680,306,709.69687,062,619.8
  股东权益合计682,156,669677,173,804.13680,306,709.69687,062,619.8
  负债和股东权益合计1,375,002,855.961,165,077,461.711,141,704,614.931,100,133,337.47
公告日期2025-08-282025-04-262025-03-182024-10-30
审计意见(境内)标准无保留意见
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